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SEC Chair Pitt to
Speak at Securities Institute
CHICAGO --- Harvey Pitt,
chairman of the U.S. Securities and Exchange Commission, and other
leading SEC officials and practitioners from law and investment
firms will be among the featured participants at the 29th Annual
Securities Regulations Institute, presented by the Corporate Counsel
Center of Northwestern University School of Law, in cooperation
with the University of California, San Diego.
The institute will take place Jan. 23 to 25 at the Hotel Coronado
in Coronado, Calif.
Pitt will be the keynote speaker at the Jan. 23 luncheon, and Charles
A. Bowsher, chairman of the Public Oversight board in Washington,
D.C., and former comptroller of the Currency, will deliver the keynote
address at the Jan. 24 luncheon.
Recently appointed SEC division directors Alan L. Beller, director
of the Division of Corporation Finance, and Stephen M. Cutler, director
of Enforcement Division, and Robert K. Herdman, chief accountant,
also will be speaking and conducting workshops.
"The lineup of presenters is impressive and we are pleased
to have Chairman Pitt and the new directors participating,"
said David E. Van Zandt, dean and professor at Northwestern University
School of Law. "Once again the program promises leading analyses
of new developments in securities law, including a panel that will
discuss techniques for coping with the SECs enforcement program."
"The institute continues to draw heavy participation of the
U.S. Securities and Exchange Commission," said David S. Ruder,
law professor and president of Northwesterns Corporate Counsel
Center and former SEC chairman. "It is among the most important
annual programs for securities lawyers."
Additional participating SEC officials include Robert A. Bayless,
associate director and chief accountant, Division of Corporation
Finance; David M. Becker, general counsel; Meyer Eisenberg, deputy
general counsel; Annette L. Nazareth, director, Division of Market
Regulation; Paul F. Roye, director, Division of Investment Management.
As a program sponsored by the Northwestern University School of
Law, the Securities and Regulations Institute is recognized for
mandatory continuing legal education credit in New York, California,
Indiana, Iowa, Missouri, Wisconsin and other states. To register
call (312) 503-8932 or go to http://www.law.northwestern.edu/contexec/.
Tuition is $1,050.
Among the topics to be discussed:
Wednesday, Jan. 23:
Corporate Communications with Analysts and the Media
Accounting Problems in an Active SEC Enforcement Environment
Non-Financial Disclosure Issues in a Changing Economic Environment
Audit Committee Practices -- A Year Later
Counseling Companies and Their Executives Regarding Stock
Compensation Programs
Thursday, Jan. 24:
Advising Boards of Directors Regarding Major Developments
in Delaware Fiduciary Law -- California Compared
Mergers and Acquisitions in a Changing Risk Environment --
Securities Law Considerations
Raising Capital in Todays Private and Public Markets
The Changing Ethical Environment for Securities Lawyers
Friday, Jan. 25:
Techniques for Coping with the SECs Enforcement Program
Private Securities Litigation Whos to Blame When
Things Go Wrong?
Everything You Always Wanted to Know about the Securities
Laws but Were Never Given the Chance to Ask
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